Charily number. 1167751
Gloucester Plllalyar (Hlndu) Temple
UNAUDrrED ACCOUNTS
FOR THE YEAR ENDED 3010912024
Prepared By..
AA Acwunting and Business Solutions Associates
267
Haydons Road
London
SW19 8TY

Glou¢ost•r Plllalyar (Hlndu) Temple
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 3010912024
TRUSTEES
Ganesan Sivanesan
Dr Arunasalam Vathavooran
Sivatha$ Vyravapillai
Mahalingam Raventherakumar
Thamayanthi Sivanes8n
REGISTERED OFFICE
1 RirArdo Road
Stroud
GL8 98Y
CHARITY NUM8ER
1167751
ACCOUNTANTS
A4 Accountlng and Bu8ln88s Solutions Assoclato¥
267
Haydons Road
London
SW19 8TY
page 1

Gloucester Plllalyar (Hlndu) Temple
AccouKrs
FOR THE YEAR ENDED 3010912024
CONTENTS
Page
Report of the Trustees
Independent Examinerfs Statement
Statement of Flnancral Activities
Balance Sheel
Notes to the Accounts
8t011
Detailed Statement ol Financial Activltles
10
page 2

GIoU￿$ter Plllalyar (Hlndu) Temple
FOR THE YEAR ENDED 3010912024
TRUSTEES. REPORT
The trustees present Iheir report and accounts for the year ended 3010912024
PRINCIPAL ACTIVITIES
The princip81 activity of the charlty In the year under review was religious actlvlties .
STRUCTURE GOVERNANCE AND MANAGEMENT
The tharity8 obj'eclives are set out in the trust deed and include malnly of to provide a palce of worship and to ralse funds
and invite contribullons from persons by way of subscriptions
The charlty is govemed by its Trust Deed. Trust8es are legally responsible for the ovèrall management, Includlng flnalsing tha
accounts and annual report.
Implementlng the polldes and the day ot day running of the trust is carried out by the trustees.
The trustses are responsible for the management of ihe rlsks faced by the trusL A forniai review of the charivs risk management
processes are undertaken on an annual basis
This
eport was approved by tho Board of Trustees on 2110712025
Ganesan Slvanesan
Trustee
page 3

Gloucester Plllalyar (Hlndu} Temple
INDEPENOENT EXAMINER'S STATEMENT
FOR THE YEAR ENDED 3010912024
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF GLOUCESTER PILLAIYAR (HINDU) TEMPLE
I rewt on the accounts of Ihe compary for the year ended 3010912024 .
RESPECTIVE RESPONSIBILMES OF TRUSTEES AND EXAMINER
The trustees (who are also tho directors of the Company for the purposes of company law) are r8sponsible for the preparation of the
accounts. The trustees Consider that an audit is not required for this year under section 144<2) of the Charities Act 2011 (the 2011
Act) and that an Independent examination is needed. The charitys gn)ss income exceeded £250.000 and l am qualified to undertake
the examlnatlon by being 8 qualified member of CIMA .
Having satisfied myself that the charity Is not subject to an audlt und8r company law and is ellgible for independent examinat1￿, It Is
my responsibility to..
- examlne Ihe accounts under sectlon 145 of the 2011 Act:
- follow the procedures laid down In the gen8ral Dlr8Ctions glven by the Charity Commission under section 145(5)(b) of the 2011 Act;
and
- stste whether partlcular matter8 have come to my attentlon.
BASIS OF INDEPENDENT EXAMINERS STATEMENT
My examination was carrted out in accordance wlth general Directions given by the Charity Commission. An examination Indudes a
review of the accounting records kept by the charity and a comparison of the accounts presènted wilh those rècords. It also Includes
consrderalion of any unusual items or disdosures in the accounts. and seeking explanations from you as trustees concemlng any
such matters. The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no
oplnion is given as to whether the accounts present a °true and fair VW and the report FS limited to those matters set out in the
statement below.
INDEPENDENT EXAMINERS STATEMENT
In connection with my eXamIna￿n, no matter has come to my attention:
11) whlch glves me reasonable cause to belleve that In any material respect the requlrements:
- to keep accounting records In accordance with Cahrities Acl 2011: and
- to prepare a¢¢ounts which ac￿rd with the acc¥>unting records. oimply wtth th8 accounting requirements of Charities Act 2011 and
wlth the methods and principles of the Statement of Recommended Practic8: A¢￿Unting and Reporting by Chartties
have not been met; or
(2) to which, in my opinion, attention should be drawn in order to enable a proper understandlng of the acLX)unts to be reached
Date:
110712025
A Accounting and Buslness Solutions As80¢iates
267
Haydons Road
London
page 4

Gloucester Plllatyar (Hlndu) Temple
INDEPENDEKf EXAMINER'S STATEMEKr
FOR THE YEAR ENDED 3010912024
SW19 8TY
020 8545 0205

Gloucester Plllalyar (Hlndu) Temple
Statthnent of Flnan¢lal A¢tfvftles
for the year ended 3010912024
2024
2023
Unrestrlcted Restrlcted
fund8
fund8
Totsl
Total
Income
Income from gonerated funds
Donatii)ns and legades
Other tradln9 a¢tivilie$
Income from charitable activities
Total Incomg and endowments
Expenses
Costs of generating funds
Expendlture on Charitable actlvltles
Total Expenses
Net galns on Investments
Net Income
15.595
15,595
7.387
1,186
9.550 13,130
25.145 21,703
9,550
25.145
32,071
32.071
32,071 15, 765
32,071 15, 765
(6,926)
(6,926) 5.938
Galnsl{losses) on revaluatlon of fixed assests
Net movement In funds..
Net income for the year
Total fvnds brought forward
Net funds ￿rrIed forward
(6,926)
14,687
7.761
(6.926) 5,938
14.687 8, 750
7,761 14,688
This s1a1eff￿nI of financial activities indudes all gains and losses recognised in the year. All Incorne and expenditure derive
from contlnulng activities
page 6

Glouc0￿er Plllalyar IHlndu) Temple
BALANCE SHEET AT 3010912024
2024
Notes
2023
CURRENT ASSETS
Cash at bank arKI In hand
7,781
7.761
14.687
14.687
NET CURRENT ASSETS
TOTAL A88ET8 LESS CURRENT LIABILMES
CAPITAL AND RESERVE8
Unrestrlcted fund•
General furKI
7,761
7.761
14.687
14,687
7.761
7.781
For the year endlng 3010912024 the company w88 enlltted to 8xempUon urKlor Sethi 477 of tho Compan188 Act 2006 relaung to
small companles.
The members have not requI￿d the company to obtain an audit In accordance wlth 86¢tion 478 of the Companles Act 2006.
The dlreclor8 acknovAedge thelr re8PX8ibilitlo8 for the requlrement8 of tha Act wlth r8spect lo accountlng records and
the preparallon of accounts.
These accounts havg been prepar8d In accordance wllh the prov1$k￿$ applic8bk to compan188 subject to the small compan188
reglme.
14,687
Approved by the board of trustee• on 2110712025 and $lgned on tholr
behalf by
Gane8an Slvanesan
Truslee

Gloucester Plllatyar (Hlndu) Temple
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 3010912024
1. ACCOUNTING POUCIES
la. Ba51s Of Accountlng
The accounts have been p￿pared under the historical cost cOnventw￿.
The accounts have been prepared in acwdance with FRS102- Th8 Financial Reporting StarKlard ap￿ICable In the UK and Republic
of I￿land and the Companies Act 2006 and the requirements of the Statem8nl of ReComMer￿ Pradice, Accounting and Reporting
by Charitle&
1b. Incomlng Resour￿#
l incoming resources are included on the Statement of Financial A¢livities wt*en the charity is legally entimed to the in￿rne and the
amount Can be quantified with reasonable acujracy.
1¢. Resources Expended
Expenditure is accounted for on an accruals basis and h8s been dassified under fwlings that aggregate all wst related to the
category. Where costs cannot be directy attrflxrted to partioAar headlny they have been a110&9ted to acdvlties on a ba￿5 C￿SIs￿nt
wlth the use of resources.
1d. Allocatlon And Appordonment or Costs
JI costs relate to the single activity of the Charitable ￿rnpanY arKI are reQ￿nised 8co)rdlngly.
le. Fund Accountlng
Unrestrfcted funds can b8 used In accordance wlth the charitable objedlves at the dtmtion of the trustee&
Restric18d funds can only be used for particular restrTCted puw within the objects of the charity. Restrictions arise wken sp8cffied
by the donor or when funds are raised ft>r partiajlar restricted purposes.
Designaled funds are funds sèt aside by the trustees *)ul of unrestrided general funds for the speofic fubjre purposes or proi8cts.
2. CREDITORS: AMOUNTS FALUNG DUE mlN ONE YEAR
2024
2023
page 8

Gloucestsr Plllalyar (Hlndu) Temple
3. UNRESTRICTED FUNDS
Brought Incomlng Outgolng Transfers Carrled
forward res¢)urces resources
forward
Gener81 fund
14,687
14.687
25,145
(32,071
32,071
7,761
7.761
4. RESTRICTED FUNDS
Brought Inc¢xnlng Outgolng
Trdnsfers
Carrled
forward

Gloucester Plllatyar (Hlndu) Temple
Incomlng Resources
for the year ended 3010912024
2024
2023
Incomlng resources
Incomlng resources from genarated funds
Donatlons
Donations
15,595
7.387
15.595
7,387
15,595
7,387
Room hire
1,186
1,186
1,186
Charftable Activlty
Temple actlvltles
9.550
13,130
9,550
13,130
9.550
13,130
21.703
25.145
page 10

Gloucesler Plllalyar (Hlndu) Templ•
Expenses
for the year ended 3010912024
2024
2023
Expen8as
Costs of generallng funds
Charltable Actlvltles
Councll tax
Water rate5
Telephone
Llght and heat
Temple expenses
Dellles
Repairs and mainlenanca
Prlest payment
1,636
200
143
1,655
6,448
7,000
2,899
12,091
32.071
1,408
434
141
1,905
102
9,875
15,785
32,071
15.765
pag811